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稳态投资组合理论在资产管理中的应用

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摘要 在实际的资产管理中,稳态投资组合理论主要是用来解决以下这两个方面的问题。一方面是如何管理好不同类型的资产;另一方面是投资者如何管理自己的资金,从而获取更大的投资收益。一些公司不同投资组合的实践表明,该理论在资产管理中的实际运用有着很好的使用价值。本文通过探讨稳态投资组合理论在资产管理中的应用,希望能够给实际工作应用带来启发。
作者 张冬玉
出处 《门窗》 2019年第14期294-294,共1页 Doors & Windows
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